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SAP C-TS4FI-1511 Exam Syllabus Topics:
| Section | Weight | Objectives |
|---|---|---|
| Topic 1: Asset Accounting | 20% | - Asset Master Data and Transactions - Asset Retirement, Transfer and Valuation - New Asset Accounting in SAP S/4HANA - Asset Classes, Depreciation Areas and Keys - Periodic Processing and Depreciation Run |
| Topic 2: Accounts Receivable | 20% | - Incoming Payments and Clearing - Dunning and Correspondence - Customer Down Payments and Reconciliation - Credit Management Basics - Business Partner / Customer Master Data |
| Topic 3: General Ledger Accounting | 25% | - Chart of Accounts and Ledger Configuration - Document Types, Posting Keys and Document Splitting - Parallel Accounting and Ledger Groups - G/L Master Data and Posting Controls - Universal Journal and SAP S/4HANA Architecture |
| Topic 4: Financial Closing and Reporting | 15% | - Period-End and Year-End Closing Activities - Reconciliation between Subledgers and G/L - Fiori Apps for Financial Reporting - Integration with Controlling - Financial Statement Versions |
| Topic 5: Accounts Payable | 20% | - Business Partner / Vendor Master Data - Down Payments and Clearing - Invoice Verification and Posting - Withholding Tax and Reporting - Automatic Payment Program |
SAP Certified Application Associate - SAP S/4HANA for Financial Accounting Associates (SAP S/4HANA 1511) Sample Questions:
Question #1
True or False: You execute data aging separately for each data aging object.
A. True
B. False
Question #2
Which of the following segments contains the general data of a customer or vendor that can be accessed throughout the organization?
Response:
A. Client level
B. Organization level
C. Account level
D. Company code
Question #3
True or False: In an environment of systems using SAP HANA, you can perform both OLAP and OLTP processing without duplication of the data for the SAP BW and SAP ERP systems.
A. True
B. False
Question #4
Which field in the SAP Business Partner master can you configure so that the document reference is transferred to the line item?
A. Assignment
B. Reference
C. Line Item Text
D. Sort Key
Question #5
True or False: A customer account can be defined as the clearing account for cross-company code postings.
A. True
B. False
Solutions:
| Question #1 Correct Answer: B | Question #2 Correct Answer: A | Question #3 Correct Answer: A | Question #4 Correct Answer: D | Question #5 Correct Answer: A |







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